HolderBook

Decker Wealth Management LLC

Reported holdings as of Q2 2026, from 3 quarterly filings.

CIK
2129751
Reported value
$471.1M
Positions
106
Top 10 weight
45.5%
Filed
2026-07-30
Days after quarter end
30

Holdings

SecurityTickerValue SharesWeightWeight change Held Change
VANGUARD INDEX FDSVUG$30.4M352,3956.44%+0.71pp3q+509.2%+$25.4M
FIRST TR EXCHANGE-TRADED FDSDVY$28.1M650,8265.96%+0.34pp3q+3.5%+$955.2K
GLOBAL X FDSMLPX$27.3M371,0365.80%-0.48pp3q-1.0%-$264.1K
VANGUARD WHITEHALL FDSVYM$23.6M149,2545.01%-0.07pp3q-1.2%-$281.0K
PACER FDS TRCOWZ$22.4M360,7384.76%-0.45pp3q-1.8%-$411.4K
ELI LILLY & COLLY$20.1M16,7934.28%+0.68pp3q-2.6%-$534.9K
FIRST TR EXCHNG TRADED FD VIDDEC$18.3M386,4003.89%+0.07pp3q+1.7%+$306.9K
ISHARES TRIGM$16.4M100,2853.48%+0.69pp3q-3.5%-$586.4K
APPLE INCAAPL$15.9M54,9823.38%+0.32pp3q+3.5%+$534.7K
ALPHABET INCGOOG$11.6M32,9152.47%+0.27pp3q-2.8%-$332.8K
GLOBAL X FDSSHLD$11.5M193,3582.45%-0.74pp3q-2.5%-$292.3K
BROADCOM INCAVGO$10.8M28,5172.29%+0.25pp3q-1.8%-$193.4K
SSGA ACTIVE TRHYBL$10.5M375,6672.23%-0.42pp3q-10.4%-$1.2M
BLACKROCK ETF TRUSTBALI$10.4M306,8482.20%-newNEW
GLOBAL X FDSAIQ$9.2M140,9151.96%+0.25pp2q-13.1%-$1.4M
MICROSOFT CORPMSFT$8.9M23,8781.89%-0.04pp3q+3.6%+$311.5K
FIRST TR EXCHNG TRADED FD VIDMAR$8.5M190,4771.81%-0.08pp3q-3.2%-$279.0K
FIRST TR EXCHNG TRADED FD VIDJUL$8.2M163,9721.75%-0.41pp3q-19.4%-$2.0M
AMAZON COM INCAMZN$8.1M33,9451.72%+0.15pp3q+2.6%+$207.6K
PALO ALTO NETWORKS INCPANW$7.8M22,8331.65%-newNEW
TJX COS INC NEWTJX$7.6M50,0001.61%-0.20pp3qHELD
VANGUARD INDEX FDSVTV$7.3M33,4491.55%+0.10pp3q+2.7%+$193.3K
WALMART INCWMT$7.1M62,5371.50%-0.53pp3q-13.1%-$1.1M
NUCOR CORPNUE$6.9M30,8621.46%-0.07pp3q-22.6%-$2.0M
CROWDSTRIKE HLDGS INCCRWD$6.9M8,9881.46%-newNEW
INVESCO EXCH TRD SLF IDX FDBSCV$6.7M409,5101.42%-0.39pp3q-15.7%-$1.2M
NVIDIA CORPORATIONNVDA$6.4M31,8951.35%+0.07pp3q-1.7%-$107.6K
VISA INCV$6.2M18,0511.31%-0.04pp3q-8.8%-$597.0K
RYDER SYS INCR$6.2M23,3841.31%+0.02pp3q-15.8%-$1.2M
INVESCO EXCH TRD SLF IDX FDBSCT$6.2M331,2041.31%-0.37pp3q-16.3%-$1.2M
HCA HEALTHCARE INCHCA$6.0M15,3581.27%-0.26pp3q+7.7%+$428.5K
INVESCO EXCH TRD SLF IDX FDBSCS$5.9M291,7451.26%-0.26pp3q-11.3%-$758.4K
AMGEN INCAMGN$5.9M16,3841.26%flat3q+3.4%+$197.0K
INVESCO EXCH TRD SLF IDX FDBSCU$5.9M355,5401.26%-0.38pp3q-17.4%-$1.2M
WASTE MGMT INC DELWM$5.7M25,7251.22%-0.26pp3q-9.1%-$574.8K
INVESCO EXCH TRD SLF IDX FDBSCW$5.7M277,8961.21%-0.49pp3q-23.8%-$1.8M
SCHWAB STRATEGIC TRSCHD$4.0M126,2290.85%-0.02pp3qHELD
ISHARES TRIVW$3.6M26,4440.77%+0.09pp3qHELD
MEDTRONIC PLCMDT$3.4M43,0760.72%-0.44pp3q-26.5%-$1.2M
ISHARES TRIVV$2.9M3,8970.62%+0.04pp3qHELD
FIRST TR EXCHNG TRADED FD VIDMAY$2.3M47,8890.48%+0.01pp3q+3.0%+$65.2K
ISHARES TRMTUM$2.2M6,3070.46%+0.12pp3q+0.9%+$18.9K
SPDR SERIES TRUSTSPTM$2.1M22,9340.44%+0.07pp3q+9.3%+$177.9K
JOHNSON & JOHNSONJNJ$1.9M7,6760.41%-0.02pp3q-1.6%-$31.7K
BANK OF AMER CORPBAC$1.8M32,1420.39%-0.04pp3q-17.4%-$386.5K
VANGUARD SPECIALIZED FUNDSVIG$1.8M7,6360.38%+0.01pp3qHELD
ISHARES TRIWB$1.4M3,4630.30%+0.02pp3qHELD
CISCO SYS INCCSCO$1.4M11,9340.30%+0.09pp3qHELD
CSX CORPCSX$1.3M27,5760.28%-0.12pp3q-34.9%-$703.9K
ABBOTT LABORATORIESABT$1.3M14,3550.28%-0.07pp3q-2.9%-$39.1K
INVESCO EXCH TRD SLF IDX FDBSCR$1.3M65,2990.27%-0.03pp3q-3.6%-$48.4K
ISHARES TRIVE$1.2M5,1680.25%flat3qHELD
FIRST TR EXCHANGE-TRADED FDQTEC$1.1M3,3810.24%+0.06pp3q-10.3%-$130.5K
INVESCO EXCH TRADED FD TR IISPLV$960.8K12,8280.20%-0.01pp3qHELD
VANGUARD INDEX FDSVBK$928.5K2,5390.20%+0.02pp3qHELD
ENBRIDGE INCENB$910.5K16,7950.19%-0.01pp3qHELD
LOCKHEED MARTIN CORPLMT$900.7K1,7680.19%-0.05pp3q-0.6%-$5.6K
INTERNATIONAL BUSINESS MACHSIBM$888.6K3,1600.19%-0.94pp3q-84.5%-$4.9M
J P MORGAN EXCHANGE TRADED FJPST$880.4K17,4100.19%+0.02pp3q+19.3%+$142.3K
NEWMONT CORPNEM$804.5K8,6140.17%-0.04pp3qHELD
ISHARES TRIWP$798.2K5,4520.17%+0.01pp3qHELD
JPMORGAN CHASE & COJPM$733.5K2,2410.16%+0.01pp3qHELD
FIRST HORIZON CORPORATIONFHN$697.1K27,1870.15%-0.02pp3q-16.1%-$133.3K
DUKE ENERGY CORP NEWDUK$693.2K5,4760.15%-0.02pp3qHELD
SELECT SECTOR SPDR TRXLK$661.1K3,4700.14%+0.04pp3qHELD
WISDOMTREE TRAIVL$625.0K4,7660.13%flat3q-2.4%-$15.1K
KLA CORPKLAC$603.4K2,0000.13%+0.06pp3q+900.0%+$543.1K
ISHARES TRIJR$586.7K3,9560.12%+0.01pp3qHELD
ISHARES TRIJT$575.3K3,2210.12%+0.02pp3qHELD
FIRST TR EXCHANGE-TRADED FDFDN$554.9K2,0960.12%+0.01pp3qHELD
TOTALENERGIES SETTE$523.3K6,7300.11%-0.03pp3qHELD
WORLD GOLD TRGLDM$503.1K6,3350.11%-0.03pp3qHELD
TESLA INC OPTTSLA$502.6K1950.11%+0.01pp3qHELD
STRYKER CORPORATIONSYK$494.3K1,5700.10%-0.01pp3qHELD
CHEVRON CORPORATIONCVX$473.6K2,8570.10%-0.03pp3qHELD
VERIZON COMMUNICATIONS INCVZ$459.3K10,8470.10%-0.01pp3q+10.2%+$42.3K
ISHARES TREFA$455.6K4,3860.10%flat3qHELD
CUMMINS INCCMI$442.9K6210.09%+0.02pp3qHELD
HOME DEPOT INCHD$435.8K1,2360.09%flat3qHELD
PAYCHEX INCPAYX$434.7K4,4210.09%flat3qHELD
ISHARES SILVER TRSLV$434.4K8,1250.09%-0.03pp3qHELD
COCA COLA COKO$419.5K5,1620.09%flat3qHELD
PROCTER & GAMBLE COPG$399.3K2,7230.08%flat3qHELD
RTX CORPORATIONRTX$398.8K2,1020.08%-0.01pp3qHELD
ISHARES TRIYF$392.2K3,0760.08%flat3qHELD
ROYCE SMALL CAP TRUST INCRVT$364.8K19,7520.08%flat3q+1.0%+$3.8K
EXXON MOBIL CORPXOMXXXX$362.3K2,6500.08%-0.03pp3qHELD
GILEAD SCIENCES INCGILD$356.9K2,8250.08%-0.01pp3qHELD
AFLAC INCAFL$344.7K2,9400.07%flat3qHELD
ISHARES TRIBTG$322.1K14,0700.07%flat3qHELD
ALPHABET INCGOOGL$319.1K8930.07%+0.01pp3q-2.4%-$7.9K
COSTCO WHOLESALE CORPORATIONCOST$309.7K3310.07%-newNEW
ALLSTATE CORPALL$309.3K1,3000.07%flat3qHELD
CORTEVA INCCTVA$307.4K3,6300.07%flat3qHELD
3M COMMM$298.7K1,8450.06%flat3qHELD
NORFOLK SOUTHN CORPNSC$291.0K9250.06%flat3qHELD
VANGUARD INDEX FDSVOO$287.8K4190.06%+0.01pp3q+3.7%+$10.3K
ISHARES TRIJJ$254.1K1,7200.05%flat3qHELD
VANGUARD INDEX FDSVTI$252.0K6810.05%flat3qHELD
SCHWAB STRATEGIC TRSCHB$252.0K8,7000.05%flat3qHELD
ISHARES TRIBTH$250.0K11,1740.05%flat3qHELD
FB FINL CORPFBK$249.1K4,5000.05%-0.01pp2q-10.0%-$27.7K
INTEL CORPINTC$242.5K1,7370.05%-newNEW
GSK PLCGSK$205.5K3,9200.04%-0.01pp2qHELD
SPDR SERIES TRUSTKOMP$205.2K2,8700.04%-newNEW
CERAGON NETWORKS LTDCRNT$25.9K10,0000.01%flat3qHELD

By sector

Industry comes from the SIC code on each company's own SEC filings, which is self-reported and sometimes out of date. Derivative exposure is counted with the shares. Securities the SEC assigns no industry - funds, trusts, foreign issues - are shown as not classified rather than dropped.

Biotech & Pharma 6.3%Software & IT Services 5.9%Computer Hardware 5.5%Retail & Consumer 5.0%Semiconductors & Electronics 3.7%Business Services 2.7%Mining & Metals 1.6%Other sectors 6.4%Not classified 62.9%
 
SectorValueShare
Biotech & Pharma$29.9M6.3%
Software & IT Services$27.7M5.9%
Computer Hardware$26.0M5.5%
Retail & Consumer$23.5M5.0%
Semiconductors & Electronics$17.4M3.7%
Business Services$12.8M2.7%
Mining & Metals$7.7M1.6%
Other sectors$30.0M6.4%
Not classified$296.1M62.9%

Quarter by quarter

QuarterValuePositions NewAddedTrimmed ExitedTop 10 Days to file
Q2 2026$471.1M10661736445.5%30
Q1 2026$440.8M10452235544.4%37
Q4 2025$456.0M104000044.3%133

Rows marked UNVERIFIED ID, PLACEHOLDER ID, TICKER AS ID or NON-CUSIP ID carry an identifier that is not a valid CUSIP. They are shown because the filer reported that money, but treat the security named with caution - hover the chip for what is wrong with it, and see the methodology.

Held counts consecutive filings in which this manager reported the position, and can reach further back than the quarters listed above: the tabs begin at Q4 2018 because earlier coverage is too sparse to describe a market, but tenure is counted over every filing we hold, some reaching to 2007. A position sold and later rebought starts again from one.

Weight change is the shift in this position's share of the whole book, in percentage points. It is the more useful column: when money flows into or out of a broad fund, almost every holding is bought or sold at once, so added and trimmed largely track flows. A weight that rose while the book shrank is a decision. Both compare with the previous quarter this filer reported, not the previous calendar quarter.